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2d 788
David Evans appeals from an order of the Eastern District of New York, Mark
A. Costantino, Judge, disqualifying the law firm of Rabin & Silverman from
representing him in this action. We remand the case for further factual findings.
In support of his claim that Dynatech was unlawfully interfering with Artek's
arrangement with Fisher for distribution of Artek products Leonhardt also
furnished to R & S a copy of a June 27, 1979 opinion letter that had been
rendered by the law firm of Crowell & Moring to Dynatech with reference to
the question of whether action taken by Dynatech to restrict or terminate
Fisher's marketing efforts on behalf of Artek would violate the anti-trust laws.
A copy of the opinion letter had been sent to Leonhardt under cover of a July 6,
1979, memorandum by W.W. Welsh, Group Vice President of Dynatech and
Chairman of Artek, advising Leonhardt "They have taken care to stamp this as a
privileged and confidential attorney-client communication. (Charlie, you are an
officer of Dynatech Laboratories, so I'm hoping you fall under the category of
client) I am sure it would be best that we show this letter to others only after
advice from Ed."
Thus the record to date indicates that although Leonhardt was the President of
Artek and may have held some office in Dynatech he was seeking legal advice
from R & S, apparently without the knowledge of Dynatech's management or
Artek's Chairman, in order to protect Artek's minority public stockholders
Later developments also indicate that Leonhardt may have consulted R & S not
on behalf of Dynatech or Artek but in his individual capacity, seeking to protect
the interests of Artek's minority public stockholders in opposition to the
Dynatech group which then controlled a majority of Artek's stock. In particular,
although Leonhardt is nominally a defendant in the present suit, his answer to
Evans' complaint admits nearly all of the allegations of wrongdoing by
Dynatech. In addition, unlike the remaining defendants, Leonhardt does not
appear to object to the representation by R & S of the plaintiff here.
In August 1982 Dynatech merged with Artek, and Artek became a whollyowned subsidiary of Dynatech. The shareholders of Artek were given one share
of Dynatech stock for each eight shares of Artek stock, or about $1.75 in market
value of Dynatech stock for each share of Artek stock. According to
Leonhardt's July 1980 memorandum to R & S, the stock had sold as high as $7
per share before Dynatech took steps to depress its value.
Leonhardt with R & S, and secondarily on the basis of R & S's service as
general counsel to Artek until March 1976. However, there is no indication that
as general counsel prior to 1976 R & S could have become involved in subject
matter related in any way to this lawsuit, which deals with conduct that did not
occur until 1979. The district court granted the motion in open court without
stating the facts upon which it based its decision other than to refer generally to
R & S's representation of Artek in 1976.
DISCUSSION
10
11
(1) the moving party is a former client of the adverse party's counsel;
12
(2) there is a substantial relationship between the subject matter of the counsel's
prior representation of the moving party and the issues in the present lawsuit;
and
13
(3) the attorney whose disqualification is sought had access to, or was likely to
have had access to, relevant privileged information in the course of his prior
representation of the client.
14
Cheng v. GAF Corp., 631 F.2d 1052, 1055-56 (2d Cir.1980), judgment vacated
on other grounds, 450 U.S. 903, 101 S.Ct. 1338, 67 L.Ed.2d 327 (1981); Emle
Industries, Inc. v. Patentex, Inc., 478 F.2d 562, 570-71 (2d Cir.1973); T.C.
Theatre Corp. v. Warner Bros. Pictures, Inc., 113 F.Supp. 265, 268
(S.D.N.Y.1953).
15
Applying the foregoing criteria to the present case, the question of whether R &
S should be disqualified as plaintiff's counsel turns on whether R & S were
acting as attorneys for Artek or Dynatech when it was consulted by Leonhardt
in 1980. The other two criteria (substantial relationship of subject matter and
access to confidential information) appear to have been met. There is a
substantial relationship between the subject matter of Leonhardt's 1980
consultation of R & S (i.e., Dynatech's alleged wrongdoing) and the present
lawsuit, and Leonhardt furnished R & S with privileged information, including
the Crowell & Moring opinion letter. On the other hand, on the present record
R & S's status as Artek's general counsel prior to 1976 appears to have no
significant relationship to the subject matter of the present case, which is based
on events that did not occur until 1979, long after R & S had been terminated as
Artek's general counsel and had in September 1976 returned Artek's files to it.
17
18
Informal Opinion No. 516 (1962), No. 1056 (1968); Note, supra, 94
Harv.L.Rev. at 1345; cf. Chugach Electric Ass'n v. United States District Court,
370 F.2d 441 (9th Cir.1966), cert. denied, 389 U.S. 820, 88 S.Ct. 40, 19
L.Ed.2d 71 (1967).
19
However, when conflicts arise among factions within a corporation and its
counsel is unable to represent all factions, since to do so would be to represent
"differing interests," ABA Com. on Ethics and Professional Responsibility,
Code of Professional Responsibility, Ethical Consideration 5-14; see Yablonski
v. United Mine Workers, 448 F.2d 1175 (D.C.Cir.1971) (per curiam), an
individual member of management or of the board of directors has the right to
seek the advice of an attorney who does not represent the corporation as an
entity but who can instead represent the plaintiff in an individual capacity, or
the faction of which the plaintiff is a member. In doing so, such individual
member of management or of the board does not necessarily create an attorneyclient relationship between the consulted attorney and the corporate entity itself.
To so hold would be to penalize unnecessarily the intra-corporate dissident, or
"whistleblower," since he/she would then be forced, if he/she were advised by
his/her independent counsel that corporate management was violating the rights
of stockholders and he/she then wished to take action, to hire a second attorney
to bring suit.
20
21
Plaintiff contends that it is the latter situation with which we are confronted
here and that the July 1980 consultation was one in which Leonhardt, an
individual dissident member of Artek's management, was concerned about
misconduct on the part of Dynatech, the 60% majority stockholder of Artek,
and its management, in violation of the rights of its minority public
stockholders. He therefore sought independent counsel to protect those interests
rather than be a party to the wrongdoing. In doing so he may also have wished
to protect himself against liability for the alleged wrongful conduct which he
sought to prevent. R & S, plaintiff argues, has thus never "switched sides" as
counsel but has labored solely on the side of the minority public stockholders.
22
Appellees, on the other hand, argue that in consulting R & S Leonhardt was
acting in his capacity as President of Artek, a subsidiary of Dynatech. In
support of their position they point to the fact that his July 1980 letters to R & S
enclosing the Crowell and Moring opinion and his own memorandum to R & S
were on Artek letterhead, signed by him as "President," and that he suggested
that R & S consider the possibility of legal actions that could be taken by Artek
against Dynatech. Moreover, the Crowell and Moring opinion was expressly
designated by Welsh, Dynatech's Vice-President and Artek's Chairman, as a
"privileged and confidential attorney-client communication." However, the
mere fact that Leonhardt was President of Artek would not automatically
convert his consultation of R & S into a corporate one or bar R & S from
representing the plaintiff if Leonhardt was in fact acting in the plaintiff's
interests. Nor would Leonhardt's disclosure to R & S of confidential corporate
documents, such as the Crowell & Moring letter, establish the existence of an
attorney-client relationship between Dynatech or Artek and R & S. There is no
suggestion that R & S induced Leonhardt as a corporate officer to furnish them
with the documents. On the contrary, it would appear that Leonhardt acted
voluntarily and unilaterally in doing so. If R & S was acting as Leonhardt's
independent counsel, his decision to disclose the documents to it, whatever the
consequences for him would be as a corporate dissident, would not convert R &
S into counsel for Artek or Dynatech.
23
The situation here is similar to that faced in R-T Leasing Corp. v. Ethyl Corp.,
484 F.Supp. 950 (S.D.N.Y.1979), aff'd mem., 633 F.2d 206 (2d Cir.1980),
where the plaintiff moved to disqualify the defendant's attorneys on the ground
that they had had access to confidential information in plaintiff's files, both
during the acquisition of two of plaintiff's subsidiaries by another client of the
attorneys, and during unsuccessful merger negotiations between that client and
the plaintiff. We affirmed the denial of the motion after the district court had
found that, since an attorney might come into possession of a party's
confidential documents through means other than serving as that party's
attorney, no attorney-client relationship could be inferred from mere access to
documents. Id. at 953. Similarly, although Leonhardt's disclosure to a third
party of the confidential opinion letter addressed to Dynatech may have been a
breach of confidence on his part, this may not be used to change his relationship
with R & S. On the contrary, his apparent motive and intent in consulting R &
S was not to gain legal help for Dynatech but to secure assistance against it.
24
Thus the record so far supports an inference that Leonhardt may have believed
that he could not speak freely about his concerns to the general counsel of
Artek and accordingly sought advice from independent attorneys about the
proper course of action to be pursued by the minority shareholders. If this is
what occurred, and if, as it appears, Leonhardt in fact consents to the
representation by R & S of the plaintiff here, then absent proof of further
relevant facts Leonhardt's status as President of Artek at the time of the
consultation with R & S would not bar R & S from representing the plaintiff
here.
25
Since the disqualification of R & S turns on whether that firm was acting in an
attorney-client relationship with Leonhardt and minority Artek stockholders or
with the corporate defendants when it was consulted in 1980 and no finding of
fact was made by the district court on this crucial issue, we must remand the
case to it for a finding on the issue, which will control the question of whether
the order disqualifying R & S should be vacated. Since the parties sharply
disagree on the factual issue, the court will probably find it necessary to hold an
evidentiary hearing with respect to relevant facts, guided by the rule that the
moving defendants bear the heavy burden of proving facts required for
disqualification, Government of India, supra, 569 F.2d at 739. For instance, the
record presently contains no affidavit or testimony by Leonhardt regarding the
nature of his relationship with R & S in 1980 and his own individual interest as
an Artek stockholder.
26
The case is remanded for further proceedings in accordance with the foregoing.
Canon 4 provides: "A lawyer should preserve the confidences and secrets of a
client." Disciplinary Rule 4-101(B) provides:
"Except when permitted under DR 4-101(C) [e.g., when the client consents], a
lawyer shall not knowingly:
"(1) Reveal a confidence or secret of his client.
"(2) Use a confidence or secret of his client to the disadvantage of the client.
"(3) Use a confidence of his client for the advantage of himself or of a third
person, unless the client consents after full disclosure."